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Deeper command of infrastructure investment frameworks used by leading private capital firms

$199.00
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A tailored course, built for your situation

Deeper command of infrastructure investment frameworks used by leading private capital firms

Master the architecture behind high-conviction capital allocation in energy and infrastructure

$199 one-time
24-hour access provisioning 30-day money-back guarantee Hand-built implementation playbook
12 modules. 12 chapters per module. 144 chapters total.
12 modules, each with 12 chapters (144 chapters total), text-based, plus downloadable templates and a hand-built implementation playbook delivered alongside course access.

Who this is for

Senior investment partner in private capital specializing in energy and infrastructure assets, operating at the intersection of strategic allocation, risk structuring, and long-term value optimization.

Who this is not for

Junior analysts, generalist investors, or professionals outside private capital with no direct responsibility for deal architecture or fund-level decision frameworks.

What you walk away with

  • Identify and apply the core decision layers of leading infrastructure investment frameworks
  • Adapt proven valuation architectures to unique asset classes without starting from scratch
  • Build internally defensible, repeatable processes for partner-level capital allocation
  • Recognize structural trade-offs in risk-adjusted return models used by top-quartile funds
  • Access curated benchmarks and precedent logic used in current high-conviction deployments

The 12 modules (with all 144 chapters)

Module 1. Core anatomy of infrastructure investment frameworks
Break down the structural components of proven capital allocation systems used by leading private equity infrastructure funds.
12 chapters in this module
  1. Decision hierarchy in capital allocation
  2. Time horizon layering
  3. Risk tolerance bands
  4. Return threshold design
  5. Geographic flexibility gates
  6. Sector exclusion logic
  7. Liquidity preference mapping
  8. Currency risk anchoring
  9. Regulatory exposure indexing
  10. ESG integration depth
  11. Tax structure alignment
  12. Jurisdiction stability scoring
Module 2. Framework selection for asset class specificity
Match investment architecture to energy transition assets, core utilities, and emerging market infrastructure.
12 chapters in this module
  1. Energy transition fit factors
  2. Utility revenue lock-in analysis
  3. Emerging market currency buffers
  4. Political risk layering
  5. Decommissioning liability mapping
  6. Rate base regulation impact
  7. PPA duration thresholds
  8. Grid interconnection risk
  9. Technology obsolescence buffers
  10. Carbon liability indexing
  11. Subsidy dependency scoring
  12. Offtaker credit strength tiers
Module 3. Valuation architecture adaptation
Modify core valuation models to reflect illiquidity, long duration, and regulatory dependency in infrastructure assets.
12 chapters in this module
  1. Discount rate adjustments
  2. Inflation pass-through design
  3. Regulatory lag modeling
  4. Maintenance reserve assumptions
  5. Refinancing risk windows
  6. Debt service coverage floors
  7. Capex cycle alignment
  8. Revenue reset mechanisms
  9. Force majeure impact
  10. Jurisdiction tax erosion
  11. Currency hedge effectiveness
  12. Contract termination triggers
Module 4. Risk layering in capital structuring
Integrate macro, regulatory, and operational risk into investment decision frameworks with precision.
12 chapters in this module
  1. Sovereign risk indexing
  2. Rate case timing windows
  3. Environmental permit timelines
  4. Construction delay buffers
  5. Offtake default cascades
  6. Refinancing cliffs
  7. Debt covenants mapping
  8. Insurance gap analysis
  9. Political intervention likelihood
  10. Regulatory rollback exposure
  11. Currency convertibility risk
  12. Tax treaty stability
Module 5. Benchmark curation for peer comparison
Select and apply relevant performance benchmarks across infrastructure subsectors and geographies.
12 chapters in this module
  1. Peer group selection logic
  2. IRR benchmark bands
  3. Equity multiple ranges
  4. Holding period norms
  5. Dividend yield bands
  6. Cap rate spreads
  7. Leverage ratio ceilings
  8. Default rate baselines
  9. Reinvestment rate assumptions
  10. Exit multiple floors
  11. Secondary market pricing
  12. Fund vintage adjustments
Module 6. Defensible iteration of investment frameworks
Refine capital allocation models based on performance data, regulatory shifts, and partner feedback.
12 chapters in this module
  1. Performance deviation triggers
  2. Framework review cycles
  3. Partner feedback integration
  4. Regulatory change impact
  5. Portfolio rebalancing rules
  6. Capital return thresholds
  7. New market entry gates
  8. Asset sale criteria
  9. Framework documentation
  10. Governance committee inputs
  11. External auditor alignment
  12. Succession planning fit
Module 7. Partner-level decision clarity
Strengthen conviction in capital allocation decisions through structured reasoning and precedent logic.
12 chapters in this module
  1. Decision memo structure
  2. Risk disclosure completeness
  3. Return scenario ranges
  4. Assumption transparency
  5. Precedent deal comparison
  6. Market shift responsiveness
  7. Capital priority ranking
  8. Liquidity fit analysis
  9. Stakeholder alignment
  10. Governance thresholds
  11. Approval workflow design
  12. Escalation criteria
Module 8. Judgment compounding across investment cycles
Turn individual deal experience into reusable organizational knowledge and decision patterns.
12 chapters in this module
  1. Deal debrief structure
  2. Lessons captured format
  3. Pattern recognition triggers
  4. Framework update process
  5. Knowledge transfer design
  6. Mistake taxonomy
  7. Success factor indexing
  8. External advisor input
  9. Post-exit analysis
  10. Portfolio correlation review
  11. Capital recycling logic
  12. Team capability mapping
Module 9. High-conviction deal evaluation
Apply mastery of framework principles to accelerate evaluation of complex infrastructure opportunities.
12 chapters in this module
  1. Initial screen triggers
  2. Due diligence depth bands
  3. Management team assessment
  4. Asset condition review
  5. Regulatory path mapping
  6. Offtake stability scoring
  7. Financing feasibility
  8. Stakeholder risk indexing
  9. Exit option analysis
  10. Value creation levers
  11. Synergy identification
  12. Integration complexity
Module 10. Capital allocation under uncertainty
Make confident investment decisions in volatile regulatory and macroeconomic environments.
12 chapters in this module
  1. Scenario planning depth
  2. Stress testing design
  3. Downside protection layers
  4. Option value recognition
  5. Flexibility premium
  6. Exit path resilience
  7. Liquidity buffer sizing
  8. Refinancing feasibility
  9. Covenant breach modeling
  10. Debt service coverage
  11. Asset sale timing
  12. Strategic buyer interest
Module 11. Framework governance and oversight
Ensure investment frameworks remain aligned with fund objectives, risk appetite, and regulatory expectations.
12 chapters in this module
  1. Governance committee role
  2. Framework audit process
  3. Compliance alignment
  4. Regulatory reporting
  5. Stakeholder disclosure
  6. Risk appetite review
  7. Capital policy update
  8. Performance benchmarking
  9. External validation
  10. Audit trail design
  11. Change approval workflow
  12. Succession planning
Module 12. Mastery integration and application
Synthesize deep command of investment frameworks into consistent, high-impact capital allocation outcomes.
12 chapters in this module
  1. Framework fluency check
  2. Decision speed improvement
  3. Partner confidence gain
  4. Error reduction rate
  5. Capital efficiency
  6. Risk-adjusted return lift
  7. Team alignment strength
  8. External recognition
  9. Deal flow quality
  10. Investor trust level
  11. Reputation compound
  12. Legacy impact

How this maps to your situation

  • Evaluating a new energy transition asset
  • Structuring a cross-border infrastructure deal
  • Revising fund-level capital allocation policy
  • Leading a partner-level investment decision

Before vs. after

Before
Relying on generalized investment principles and ad-hoc deal evaluation.
After
Operating with deep command of structured, repeatable capital allocation frameworks proven in top-tier infrastructure funds.

What's included with your purchase

  • 12 modules with 12 chapters each (144 chapters)
  • Downloadable templates and worked examples for every module
  • Hand-built implementation playbook delivered alongside course access
  • 30-day money-back guarantee

Delivery and format

  • Course and learning environment access provisioned within 24 hours of purchase
  • Hand-built implementation playbook delivered alongside course access

Format: Text-based modules and chapters in the Art of Service learning environment, plus downloadable templates and worked examples for every chapter, plus the hand-built implementation playbook delivered alongside course access.

Time investment: Approximately 3-4 hours per module, designed for integration with active deal cycles.

How this compares to the alternatives

Unlike generic private equity courses, this program focuses exclusively on the structural architecture of infrastructure investment decisions, with direct application to energy, utilities, and hard assets.

Frequently asked

How is the course structured?
12 modules, each containing 12 chapters (144 chapters total).
Is this relevant for non-US infrastructure investments?
Yes, the frameworks are designed to adapt across geographies, with explicit modules on emerging markets and cross-jurisdiction structuring.
Will this help with investor reporting?
Yes, clearer decision architecture improves transparency and confidence in capital allocation rationale.
$199 one-time. Approximately 3-4 hours per module, designed for integration with active deal cycles..

Within 24 hours your account in the learning environment is provisioned and the tailored implementation playbook is delivered alongside it.

30-day money-back guarantee· 144 chapters· Hand-built playbook included· Account access within 24 hours